Community Trust & Investment Co decreased Exxon Mobil Corp (XOM) stake by 77.14% reported in 2017Q3 SEC filing. Community Trust & Investment Co sold 88,314 shares as Exxon Mobil Corp (XOM)’s stock rose 0.21%. The Community Trust & Investment Co holds 26,166 shares with $2.15M value, down from 114,480 last quarter. Exxon Mobil Corp now has $324.45B valuation. The stock increased 0.43% or $0.33 during the last trading session, reaching $76.54. About 13.72M shares traded or 4.75% up from the average. Exxon Mobil Corporation (NYSE:XOM) has declined 9.08% since February 18, 2017 and is downtrending. It has underperformed by 25.78% the S&P500.
Orbis Investment Management increased Wells Fargo Co New (WFC) stake by 19.84% reported in 2017Q3 SEC filing. Orbis Investment Management acquired 24,038 shares as Wells Fargo Co New (WFC)’s stock declined 8.66%. The Orbis Investment Management holds 145,181 shares with $8.01 million value, up from 121,143 last quarter. Wells Fargo Co New now has $293.25B valuation. The stock decreased 0.12% or $0.07 during the last trading session, reaching $59.95. About 18.66M shares traded. Wells Fargo & Company (NYSE:WFC) has risen 9.67% since February 18, 2017 and is uptrending. It has underperformed by 7.03% the S&P500.
Since November 17, 2017, it had 0 insider purchases, and 1 insider sale for $292,234 activity. $292,234 worth of stock was sold by Codel Franklin R on Friday, November 17.
Among 39 analysts covering Wells Fargo & Company (NYSE:WFC), 15 have Buy rating, 8 Sell and 16 Hold. Therefore 38% are positive. Wells Fargo & Company had 131 analyst reports since July 29, 2015 according to SRatingsIntel. The firm earned “Buy” rating on Wednesday, September 2 by Sandler O’Neill. The rating was maintained by UBS on Monday, October 16 with “Neutral”. The stock of Wells Fargo & Company (NYSE:WFC) earned “Buy” rating by Citigroup on Monday, October 9. Argus Research maintained it with “Buy” rating and $58.0 target in Tuesday, January 19 report. UBS maintained Wells Fargo & Company (NYSE:WFC) on Friday, October 6 with “Neutral” rating. The firm earned “Underperform” rating on Friday, November 18 by BMO Capital Markets. The stock of Wells Fargo & Company (NYSE:WFC) earned “Hold” rating by BMO Capital Markets on Friday, October 6. Piper Jaffray maintained it with “Hold” rating and $50.0 target in Friday, October 13 report. On Wednesday, January 18 the stock rating was downgraded by Argus Research to “Hold”. The stock of Wells Fargo & Company (NYSE:WFC) earned “Buy” rating by Goldman Sachs on Thursday, January 4.
Investors sentiment decreased to 0.73 in 2017 Q3. Its down 0.15, from 0.88 in 2017Q2. It fall, as 92 investors sold WFC shares while 725 reduced holdings. 103 funds opened positions while 495 raised stakes. 3.65 billion shares or 0.40% less from 3.66 billion shares in 2017Q2 were reported. Zeke Capital Advsrs Ltd Liability Company holds 92,281 shares or 0.7% of its portfolio. Rhumbline Advisers owns 7.88M shares. First Long Island Investors Ltd Company reported 2.02% stake. Tiemann Invest Advisors Limited Liability Company holds 0.61% or 13,010 shares. Contravisory Invest Mgmt invested 0.01% in Wells Fargo & Company (NYSE:WFC). Addison Cap Company holds 1.96% or 40,505 shares in its portfolio. Barbara Oil, Illinois-based fund reported 30,000 shares. Genesee Valley Tru invested in 29,102 shares. Sun Life has 32,848 shares. Daiwa Securities Gp Inc Inc reported 248,068 shares or 0.09% of all its holdings. 5,427 are owned by Wright Service Incorporated. Cleararc has 114,824 shares for 0.95% of their portfolio. Tompkins Fincl holds 5,212 shares or 0.07% of its portfolio. Girard Prtn Limited invested in 0.83% or 72,955 shares. Gateway Invest Advisers Ltd Liability Corp reported 2.58 million shares stake.
Orbis Investment Management decreased Anthem Inc (NYSE:ANTM) stake by 23,477 shares to 33,455 valued at $6.35M in 2017Q3. It also reduced Alphabet Inc stake by 1,905 shares and now owns 4,193 shares. Centennial Resource Dev Inc was reduced too.
Investors sentiment is 0.85 in Q3 2017. Its the same as in 2017Q2. It has no change, as 57 investors sold XOM shares while 806 reduced holdings. only 114 funds opened positions while 621 raised stakes. 2.13 billion shares or 0.48% more from 2.12 billion shares in 2017Q2 were reported. Lord Abbett, a New Jersey-based fund reported 1.52 million shares. Managed Asset Portfolios Limited Liability Co owns 131,834 shares or 3.36% of their US portfolio. Franklin Res accumulated 10.34M shares. Clifford Swan Invest Counsel Ltd, California-based fund reported 488,135 shares. Cornercap Investment Counsel holds 89,708 shares. Alpine Glob Mgmt Limited Liability Corp holds 4,932 shares. Waters Parkerson & Llc reported 3.1% in Exxon Mobil Corporation (NYSE:XOM). Bahl & Gaynor has 2.14% invested in Exxon Mobil Corporation (NYSE:XOM). Manning & Napier Advsrs Ltd owns 55,943 shares. Adams Asset Advsr Lc accumulated 109,664 shares. Jag Capital Management Limited Liability Co reported 4,662 shares or 0.07% of all its holdings. Cetera Advsr invested in 203,093 shares or 1% of the stock. Catawba Va, Virginia-based fund reported 25,555 shares. Breton Hill Limited reported 0.54% in Exxon Mobil Corporation (NYSE:XOM). E&G Advsrs Limited Partnership holds 0.52% in Exxon Mobil Corporation (NYSE:XOM) or 13,941 shares.
Since September 18, 2017, it had 0 buys, and 5 sales for $5.23 million activity. Another trade for 7,281 shares valued at $606,082 was made by Milton Bryan W on Tuesday, December 12. On Thursday, December 14 Chapman Neil A sold $996,628 worth of Exxon Mobil Corporation (NYSE:XOM) or 12,000 shares. On Friday, December 15 the insider Wascom Dennis G sold $200,293. $1.81M worth of stock was sold by Franklin Robert Stuart on Monday, September 18. The insider Corson Bradley W sold $1.62 million.
Community Trust & Investment Co increased Facebook Inc (NASDAQ:FB) stake by 21,506 shares to 138,901 valued at $23.73M in 2017Q3. It also upped Schlumberger Ltd (NYSE:SLB) stake by 75,679 shares and now owns 214,715 shares. Bank Amer Corp (NYSE:BAC) was raised too.
Among 26 analysts covering Exxon Mobil (NYSE:XOM), 9 have Buy rating, 7 Sell and 10 Hold. Therefore 35% are positive. Exxon Mobil had 88 analyst reports since July 22, 2015 according to SRatingsIntel. On Wednesday, December 20 the stock rating was maintained by Jefferies with “Hold”. The firm has “Hold” rating by TD Securities given on Thursday, August 6. BMO Capital Markets maintained the shares of XOM in report on Monday, May 1 with “Hold” rating. Barclays Capital maintained the shares of XOM in report on Thursday, September 3 with “Underweight” rating. As per Thursday, August 20, the company rating was upgraded by Vetr. The rating was initiated by Credit Agricole on Tuesday, December 15 with “Outperform”. The stock has “Neutral” rating by Credit Suisse on Monday, February 5. The company was maintained on Monday, May 2 by Credit Suisse. Hilliard Lyons initiated the shares of XOM in report on Wednesday, June 7 with “Long-Term Buy” rating. RBC Capital Markets maintained Exxon Mobil Corporation (NYSE:XOM) on Thursday, July 20 with “Hold” rating.